107.7607
-0.30%
Status:
Technical Period
Last NAV Date:
24/11/21
Last NAV | 107.7607 |
Number Trades | |
Total Quantity | |
Year High | 109.4264 - 24/10/22 |
Year Low | 103.7689 - 24/01/19 |
Reference Close | 107.7607 - 24/11/21 |
1 Month Performance | -1.43% |
6 Months Performance | -0.07% |
Performance Year to Date | +2.31% |
1 Year Performance | +5.76% |
Instrument Info
Instrument Type | OICR APERTI |
Market | ATFund |
Alphanumeric Code | ADA113 |
Isin Code | MT7000015665 |
Lot Size | 1.00 |
Currency Denomination |
Issuer | |
Segment | |
Style | 0 |
Area | MULTI ASSET |
Dividends |
Documents
Nav
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24/11/21 - 107.7607 EUR
All